Senior Manager Intraday Liquidity
Company: Charles Schwab
Location: Omaha
Posted on: February 26, 2026
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Job Description:
At Schwab, you’re empowered to make an impact on your career.
Here, innovative thought meets creative problem solving, helping us
“challenge the status quo” and transform the finance industry
together. The Liquidity and Funding Management group within
Treasury handles liquidity and funding planning across the
corporation and its subsidiaries, including our bank and
broker-dealers. We monitor and ensure adherence to regulatory
ratios including the Liquidity Coverage Ratio (LCR) and associated
public disclosures, Net Stable Funding Ratio (NSFR), FR 2052a
Liquidity Monitoring Report. We also develop tools to assist our
business partners in analyzing the liquidity impacts of business
decisions. We work with our second line partners to assist in the
development of robust contingency liquidity analyses and plans to
help identify emerging risks. This group is responsible for the
design of company liquidity management policies, ensuring
compliance at all times, and escalating issues to senior management
as necessary. We work with internal and external partners on
multiple ongoing examinations and audits of liquidity practices.
This is an individual contributor role within the Funding
Management group What you have • Bachelor’s degree required; MBA
preferred • CFA, CPA or FRM professional designation preferred • 6
Years in finance with 3 years of experience managing Intraday
Liquidity Risk for a Category IV or larger financial institution •
Demonstrated detailed knowledge of finance • Deep knowledge of
broker / dealer liquidity requirements (series 27 preferred) • Deep
knowledge of bank liquidity requirements • Experienced with
treasury functions including debt and capital instruments •
Experienced with sweep deposit programs. • Experienced with
financial systems and financial data • Excellent analytical,
strategic planning, problem resolution skills • Ability to
translate sophisticated business problems into discrete
quantifiable components • Excellent oral and written communication
skills What youll do: • Responsible for the firm wide intraday
liquidity management framework • Drive strategies around intraday
liquidity and expand intraday resources • Own and enhance the
intraday liquidity stress testing assumptions • Design and
implement monitoring metrics and reports on intraday liquidity •
Identify intraday cash flow patterns and drivers and collaborate
with cross functional teams on optimization • Partner with the Cash
Management team to automate and enhance intraday liquidity
monitoring practices • Monitor customer trading activities and
option trading and proactively identify emerging intraday liquidity
risks • Remain abreast of the macro-economic environment, funding
markets, and regulatory guidelines • Assist in optimizing
intercompany funding venues to deploy liquidity efficiently across
the organization • Prepare and review ALCO, senior management, and
Board committee materials
Keywords: Charles Schwab, Omaha , Senior Manager Intraday Liquidity, Accounting, Auditing , Omaha, Nebraska